info website equity

NAV

NAV 03-10-2024
Value
Equity Fund
1.517,9731
Managed Fund
3.083,7532
Safe Link Plus
3.692,1398
Stable Link
7.467,9594
Steady Fund
5.103,9532
Steady Fund USD
0,211791
Balanced Fund
1.608,2932
NAV 02-10-2024
Value
Equity Fund
1.518,6565
Managed Fund
3.087,2731
Safe Link Plus
3.695,3438
Stable Link
7.466,9981
Steady Fund
5.112,0826
Steady Fund USD
0,211869
Balanced Fund
1.609,1312
NAV 01-10-2024
Value
Equity Fund
1.538,5428
Managed Fund
3.113,1728
Safe Link Plus
3.697,3583
Stable Link
7.466,2350
Steady Fund
5.115,4496
Steady Fund USD
0,211783
Balanced Fund
1.615,6751